Investment strategy

AGCM’s Investment strategy summarized

  • Active Management – Disregard from equity index benchmarks. Equity index compositions today are often poor indicators of where the future growth will occur. A concentrated portfolio allows for meaningful performance contribution from well researched ideas.
  • Bottom Up - Fundamental in depth research allows for an above average understanding. The investment team relies on a combination of proprietary research, a network of top-rated analysts in Asia as well as industry experts within the network of AGCM management and Board of Directors.
  • Long Term – Based on in depth research, we take long term views, re-evaluate them periodically and enhance long term returns by trading on exaggerated price fluctuations.

AGCM Asia Growth Fund

The fund has three share classes:

  • IC SEK
  • RC SEK
  • IC EURO

The Net Asset Value of the Units is calculated daily. The Classes of Units have daily trading. Please refer to the KIID for more facts or the Prospectus for the full description.


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